What can we help you find?
Search by Topic

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Lazard Global Listed Infrastructure

Perpetual WealthFocus Term Allocated Pension Plan

As of Date Entry Price Exit Price

08/12/2022

4.550716

4.528076

07/12/2022

4.542719

4.520118

06/12/2022

4.551121

4.528479

05/12/2022

4.574196

4.551439

02/12/2022

4.593612

4.570758

01/12/2022

4.614296

4.591339

30/11/2022

4.576908

4.554137

29/11/2022

4.544551

4.521941

28/11/2022

4.560256

4.537568

25/11/2022

4.591979

4.569133

24/11/2022

4.595137

4.572276

23/11/2022

4.561220

4.538527

22/11/2022

4.539050

4.516468

21/11/2022

4.524847

4.502335

18/11/2022

4.476878

4.454605

17/11/2022

4.429768

4.407729

16/11/2022

4.466643

4.444421

15/11/2022

4.462341

4.440140

14/11/2022

4.473336

4.451081

11/11/2022

4.459715

4.437527

10/11/2022

4.468021

4.445792

09/11/2022

4.346604

4.324979

08/11/2022

4.330195

4.308652

07/11/2022

4.284924

4.263606

04/11/2022

4.301983

4.280580

03/11/2022

4.236968

4.215889

02/11/2022

4.260720

4.239522

01/11/2022

4.279754

4.258462

31/10/2022

4.259341

4.238150

28/10/2022

4.255891

4.234717

Preproduction: 20240910.1 - 14.0.1+06f7560948da0af970fddf980872025495e211b2